1-month course outline for the Master in Bank Nifty Futures Trading course, with Saturdays and Sundays off. This outline is structured to provide a balance between theoretical concepts and practical exercises, helping students gain a deep understanding of Bank Nifty Futures trading.
Week 1: Introduction to Bank Nifty Futures and Market Analysis
Day 1 – Course Orientation & Introduction to Bank Nifty Futures
- Overview of the course
- Basics of Bank Nifty Index and its significance
- Understanding Bank Nifty Futures: Contracts, Expiry, and Lot Sizes
Day 2 – Market Basics & Fundamental Analysis
- Key factors impacting Bank Nifty
- Macro-economic indicators (Interest Rates, GDP, Inflation) and their effects
- Analyzing quarterly reports and banking sector performance
Day 3 – Technical Analysis I – Basics
- Introduction to Technical Analysis
- Understanding charts, trends, and patterns
- Support and resistance levels in Bank Nifty Futures
Day 4 – Technical Analysis II – Key Indicators
- Moving Averages, RSI, MACD for Bank Nifty Futures
- Volume analysis
- Candlestick patterns for Bank Nifty Futures trading
Day 5 – Trading Platforms and Tools
- Overview of trading platforms
- Setting up a trading account for Bank Nifty Futures
- Basics of placing orders and managing trades
Week 2: Strategy Building and Risk Management
Day 1 – Introduction to Bank Nifty Futures Trading Strategies
- Types of strategies: Intraday, Swing, Positional
- Overview of different approaches based on market trends
Day 2 – Intraday Trading Strategies
- High-frequency trading techniques
- Scalping and breakout strategies in Bank Nifty Futures
- Practice sessions on real-time data
Day 3 – Swing Trading Strategies
- Identifying trend reversals
- Moving averages crossovers, price action techniques
- Swing trading practice with Bank Nifty Futures
Day 4 – Risk Management in Bank Nifty Futures
- Importance of risk management
- Setting stop-losses, position sizing
- Risk-reward ratio and handling market volatility
Day 5 – Live Practice Session & Feedback
- Practice session on real-time Bank Nifty charts
- Individual feedback on strategies and performance
Week 3: Advanced Strategies and Trade Management
Day 1 – Advanced Strategies I – Hedging and Arbitrage
- Understanding hedging in Bank Nifty Futures
- Basics of arbitrage opportunities in Bank Nifty Futures
Day 2 – Advanced Strategies II – Options Integration
- Integrating Bank Nifty Options with Futures
- Protective puts and covered calls for risk management
Day 3 – Managing Trades and Exit Strategies
- Importance of exit strategy in Bank Nifty Futures
- Trailing stop-loss, partial booking, and re-entry techniques
Day 4 – Market Sentiment Analysis
- News impact on Bank Nifty Futures
- Reading market sentiment and institutional activities
Day 5 – Live Trading Session & Case Study Analysis
- Real-time Bank Nifty trading session
- Case study analysis of successful and unsuccessful trades
Week 4: Practical Application and Final Project
Day 1 – Developing a Personalized Trading Plan
- Creating a trading plan based on individual risk tolerance
- Time commitment and financial goals for Bank Nifty Futures trading
Day 2 – Performance Review and Adjustment Techniques
- Evaluating past trades and refining strategies
- Identifying areas for improvement and making adjustments
Day 3 – Mock Trading Day
- Simulating a full trading day in Bank Nifty Futures
- Applying learned strategies and handling market fluctuations
Day 4 – Final Assessment & Project
- Final project: Develop a comprehensive trading plan for Bank Nifty Futures
- Assessment based on trading performance and understanding of strategies
Day 5 – Course Wrap-Up & Future Planning
- Review of key learnings and accomplishments
- Tips on continuous learning and staying updated in Bank Nifty trading
- Guidance on additional resources and advanced courses
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